23
Jun
ECB and other major central banks to reduce frequency of 7-day US dollar operations from daily to three times per week, operations with 84-day maturity continue to be offered weekly
New frequency effective from 1 July 2020, to remain in place for as long as appropriate to support smooth functioning of US dollar funding markets
ECB and other major central banks stand ready to re-adjust provision of US dollar liquidity as warranted by market conditions
In view of the...